Aurelia Bank

Credit Risk Console
Reporting date 31 Mar 2026 Quarter 2026-Q1 All amounts in EUR unless stated
Overview Energy Petrel Renewables Oy fac-024

fac-024 · Trade finance

Petrel Renewables Oy

Facility

Trade finance

Currency
EUR
Commitment
€133.1m
Drawn
€105.9m
Undrawn
€27.2m
EAD
€111.4m
CCF
20%
Margin
275 bps
Maturity
14 August 2029
Tenor
40 months

Covenant monitoring

0 breached, 1 within 10% of the threshold

Net lev.

Direction: Maximum Threshold: 2.81 Current: 2.72 Next test: 30 Jun 2026 Quarterly

DSCR

Direction: Minimum Threshold: 1.19 Current: 1.65 Next test: 30 Jun 2026 Quarterly

Collateral

Net of supervisory haircuts

This facility is unsecured

Tenor

40 months

Quarter Commitment Drawn Undrawn Δ Drawn Utilisation 2026-Q1 €133.1m €105.9m €27.2m n/a 80% 2026-Q2 €133.1m €105.9m €27.2m €0 80% 2026-Q3 €133.1m €105.9m €27.2m €0 80% 2026-Q4 €133.1m €105.9m €27.2m €0 80% 2027-Q1 €133.1m €105.9m €27.2m €0 80% 2027-Q2 €133.1m €105.9m €27.2m €0 80% 2029-Q2 €133.1m €105.9m €27.2m €0 80% 2029-Q3 €0 €0 €0 -€105.9m 0%